v3.26.1
Operating Segments
3 Months Ended
Mar. 31, 2026
Segment Reporting [Abstract]  
Operating Segments

13. Operating Segments

Operating segments are reported in a manner consistent with the internal reporting provided to the chief operating decision-maker (CODM). The CODM, who is responsible for allocating resources and assessing performance of the operating segments, has been identified as executive management consisting of the Chief Executive Officer, Chief Financial Officer, and Chief Operating Officer. The CODM uses the Company’s consolidated financial results, including operating income or loss by segment, to make key operating decisions, assess performance, and to allocate resources. Segment performance is evaluated based on operating income or loss as shown in the table below. Interest income and income taxes are managed separately on a group basis.

The Company’s two reportable segments are as follows:

a.The Upstream segment activities include acquisition, development and production of natural gas and oil reserves on properties within the United States and Canada; and
b.The Gas Gathering segment partners with two other companies to operate a natural gas gathering system.

Segment activity for the three months ended March 31, 2026 and 2025 is as follows:

  ​ ​ ​

Upstream

  ​ ​ ​

Gas Gathering

  ​ ​ ​

Total

As of and for the three months ended March 31, 2026

Operating revenue

Natural gas

$

13,402,522

$

$

13,402,522

Natural gas liquids

1,073,301

1,073,301

Oil and condensate

9,462,187

9,462,187

Gathering and compression fees

1,657,777

1,657,777

Intersegment gathering and compression fees

438,502

438,502

23,938,010

2,096,279

26,034,289

Reconciliation of operating revenue

Elimination of intersegment revenues

(438,502)

Total consolidated operating revenue(1)(3)

25,595,787

Operating costs

Gathering, transportation, and compression

2,746,419

2,746,419

Other lease operating expense

4,448,894

4,448,894

Gathering system operating expenses

594,446

594,446

Intersegment other lease operating expense

438,502

438,502

Depletion, depreciation, amortization and accretion

2,791,393

210,946

3,002,339

Segment operating income

$

13,512,802

$

1,290,887

$

14,365,187

Reconciliation of segment operating income

Salary expense

(2,299,623)

Stock based compensation

(547,527)

Transaction costs

(71,420)

Other general and administrative

(1,078,519)

Elimination of intersegment other lease operating expenses

438,502

Interest income

45,543

Interest expense

(941,581)

Gain on derivative contracts

(8,929,829)

Other income

16,428

Net income before income tax expense

$

997,161

Capital expenditures (2)

$

4,212,340

$

50,583

$

4,262,923

Segment assets (3)

$

183,523,427

$

5,912,666

$

189,436,093

Total segment assets reconciled to consolidated amounts are as follows:

Total segment assets

$

189,436,093

Current assets, net

29,781,580

Fair value of derivatives, long term

185,056

Other property and equipment

5,309,128

Operating lease right-of-use asset

429,923

Credit facility fees

724,263

Restricted Cash

553,000

Total assets

$

226,419,043

  ​ ​ ​

Upstream

  ​ ​ ​

Gas Gathering

  ​ ​ ​

Total

As of and for the three months ended March 31, 2025

Operating revenue

Natural gas

$

10,613,573

$

$

10,613,573

Natural gas liquids

387,250

387,250

Oil and condensate

3,269,967

3,269,967

Gathering and compression fees

1,892,350

1,892,350

Intersegment gathering and compression fees

556,858

556,858

14,270,790

2,449,208

16,719,998

Reconciliation of operating revenue

Elimination of intersegment revenues

(556,858)

Total consolidated operating revenue(1)(3)

16,163,140

Operating costs

Gathering, transportation, and compression

2,053,715

2,053,715

Other lease operating expense

702,183

702,183

Gathering system operating expenses

552,651

552,651

Intersegment other lease operating expense

556,858

556,858

Impairment

6,669

6,669

Depletion, depreciation, amortization and accretion

3,146,306

329,551

3,475,857

Segment operating income

$

7,805,059

$

1,567,006

$

8,815,207

Reconciliation of segment operating income

Salary expense

(1,079,670)

Stock based compensation

(385,838)

Other general and administrative

(738,748)

Elimination of intersegment other lease operating expenses

556,858

Interest income

15,299

Interest expense

(12,211)

Loss on derivative contracts

(1,462,170)

Other income

(22,499)

Net income before income tax expense

$

5,686,228

Capital expenditures (2)

$

7,639,767

$

104,275

$

7,744,042

Segment assets (3)

$

101,889,212

$

6,399,266

$

108,288,478

Total segment assets reconciled to consolidated amounts are as follows:

Total segment assets

$

108,288,478

Current assets, net

15,543,547

Other property and equipment

884,658

Operating lease right-of-use asset

318,604

Restricted cash

470,000

Total assets

$

125,505,287

(1)Segment operating revenue represents revenues generated from the operations of the segment. Inter-segment sales during the three months ended March 31, 2026 and 2025 have been eliminated upon consolidation. For the three months ended March 31, 2026, one purchaser each accounted for 10% or more of our total revenue: HF Sinclair (27%). For the three months ended March 31, 2025, three purchasers each accounted for 10% or more of our total revenue: Expand Energy Marketing (15%) and Ares Energy (18%) from the upstream segment and Williams (15%) from the gas gathering segment.
(2)Capital expenditures for the Upstream segment consist primarily of the acquisition of properties, and the equipping, drilling, and completing of wells while Gas Gathering consists of expenditures relating to the expansion and completion of the gathering and compression facility.

(3)Our upstream segment includes Canadian revenue and assets for the three months ended March 31, 2026 of $0.2 million and $7.2 million, respectively. Our upstream segment includes Canadian revenue and assets for the three months ended March 31, 2025 of $0.1 million and $10.3 million, respectively.